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SLVONUSD long — 27 Aug 2026 (stopped out)

This long on SLVONUSD entered at 63.06 and stopped out at 62.3 after 3.9 hours, closing at -1.21%.

AssetSLVONUSD
Directionlong
Issued (UTC)2026-08-27 01:38
Entry63.06
Stop-loss62.3
Take-profit 163.636
Take-profit 2 (stretch)64.02
Reward:risk at entry1.26
Outcomestopped out
Close price62.3
Realized P&L-1.21%
Time open3.9 hours

What the model saw at issue time

AI-generated analysis, written before the outcome was known. Quoted verbatim, never edited after the close.

1. REGIME READ: MTF 2/4 mixed (5m/4h bull-aligned, 15m/1h mixed), 1h ADX 12.99 rising +1.50 but ADX-20 9.5 = deep chop, ER_10 0.60 (recent path cleanish up) vs ER_30 0.072 (netting nowhere), choppiness 44, Hurst 0.55, HMM calm conf 1.0 — a stalled higher-TF uptrend grinding sideways near the 5d/90d high (-0.27%). 2. LEAN CHECK: fresh positive momentum (net +1.94% 4h, +1.45% 12h), silver spot XAG +1.16% 24h, gold +1.08%/+4.42% 5d macro tailwind, top-trader pos ratio 1.93 long-tilted — evidence leans modestly long. 3. DIRECTIONAL THESIS: the strongest cluster is momentum + macro — a sharp fresh +1.94% 4h push aligned with the 5m/4h bull EMA stacks and a firm precious-metals bid (gold ripping, XAG green), trend-aligned continuation off the range toward the 5d high. 4. PRE-MORTEM: OI momentum is accelerating_down (oi_change_recent_half -1.57%, oi_5m_z -0.42) and taker ratio 0.889 sub-1 — the 4h pop lacks fresh long fuel, so a stall/fade back into the range invalidates. 5. LEVEL PLACEMENT: entry 63.06; stop below the recent consolidation shelf at 62.30 (~1.2% risk, well inside the 2.34% 7d range and rv percentile 58%); stretch TP at 64.02 (~1.52% / ~1.26x risk), just through the 5d high, inside clamps. 6. EXPECTATION: chop regime + weak OI/taker under a positive-momentum macro tailwind — modest edge, meaningful expire risk given grindy tape.

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